Employee Benefits Academy Webinar Series – ERISA Fiduciary Rules – An Update on Current Issues and Considerations and Best Practices for Investment Decisions
ERISA Fiduciary Rules – An Update on Current Issues and Considerations and Best Practices for Investment Decisions
Thursday, June 23, 2022
10:00–11:00 am CT | 11:00 am–12:00 pm ET
Making and monitoring prudent investment decisions for a 401(k) plan’s investment lineup is one of the most critical responsibilities of a plan fiduciary, and one that can create significant risk. In this webinar, we will discuss recent government guidance and case law impacting plan fiduciaries as they oversee their plan’s investment lineup and make these critical decisions. We will also discuss best practices and considerations for mitigating risks associated with the investment decision process. Making and monitoring prudent investment decisions for a 401(k) plan’s investment lineup is one of the most critical responsibilities of a plan fiduciary, and one that can create significant risk. In this webinar, we will discuss recent government guidance and case law impacting plan fiduciaries as they oversee their plan’s investment lineup and make these critical decisions. We will also discuss best practices and considerations for mitigating risks associated with the investment decision process.
Speakers:
- L. Scott Austin, Partner
- Heath Miller, Co-Founder, Access Retirement Solutions
Hunton Andrews Kurth LLP will seek CLE credit for this program in CA, FL, GA, NC, NY, TX and VA. Credit hours are not guaranteed and are subject to each state’s approval rules. Please be aware that due to various state bar closures, CLE accreditation will be delayed for the foreseeable future.
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